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151.
Ståle Angen Rye 《GeoJournal》2008,71(2-3):171-184
While much of the literature related to the digital divide focuses on either technology penetration in developed countries or the introduction of new technology to the poor and disadvantaged in the developing world, this paper pays attention to the middle-classes in a developing country which is connected to the Internet but under poor conditions. The digital divide is examined by investigating how the uneven distribution of Internet connection influences distance education students’ participation in higher education. Empirically, the paper is informed by a qualitative study of distance education in Indonesia. The main conclusion is that while in more peripheral areas students may not gain much from the use of new technology, the use of this technology may be useful for the further development of such regions. In central areas the new technology seems to contribute to students’ study situations more effectively and the daily environment empowers the students’ study activities, rather than vice versa. 相似文献
152.
Mirosław Jastrzębski 《International Journal of Earth Sciences》2009,98(8):1901-1923
Structural, petrological and geochronological data from marbles and mica schists combined with those from highly disputable
gneisses and eclogites of the Orlica-Śnieżnik Dome (OSD), gave new insights into Variscan evolution of eastern borderland
of the West Sudetes. It is shown that the Variscan tectonometamorphic evolution of the OSD began with E–W oriented subhorizontal
shortening (D1 stage) related to the collision of the West Sudetes terranes and the Brunovistulian terrane. The shortening
led to generally upright folding, which resulted in formation of the steep N–S trending metamorphic planar fabric S1, thickening
of the lithosphere and burial of the Stronie Formation under greenschist facies conditions. As a consequence of subsequent,
near-coaxial gravity-controlled vertical shortening (D2), the S1 foliation was deformed in tight recumbent folds F2. The flattening
strain was associated with the progression to amphibolite-facies conditions (from ca. 510 upto ca. 620°C) and uplift from
depths corresponding to 9–10 kbar to depths corresponding to 7–8 kbar. On microscale, the flattening strain is documented
by rotation of the mineral fabric overgrown by syn-D2 prograde garnet porphyroblasts. The Sm–Nd Grt–WR isochron age, correlated with the D2 event yields 346.5 ± 4.4 Ma. Further
deformation and progressive metamorphism led to development of the subhorizontally disposed S2 axial plane schistosity, which
terminated at the metamorphic temperature peak. During retrogression but still under ductile conditions of deformation, the
S2 planes were reactivated during successive top-to-the-N shear movement of the OSD (D3 stage). Due to the mutual interaction
of the OSD with the adjacent terranes the shear deformations were localized within marginal parts of these units. Finally,
as a result of the NE–SW and the NW–SE oriented shortenings (D4 stage and D5 stage, respectively), both the structural surfaces
and metamorphic isograds were regionally folded with W(NW)-ward plunges. A synthesis of new and existing data shows an overall
similarity in sequence of Variscan deformations (D1–D2–D3) in the West Sudetes borderland to that observed in the eastern
flank of the Moldanubian domain. 相似文献
153.
In the context of natural hazard-related risk analyses, different concepts and comprehensions of the term risk exist. These differences are mostly subjected to the perceptions and historical backgrounds of the different scientific disciplines and results in a multitude of methodological concepts to analyse risk. The target-oriented selection and application of these concepts depend on the specific research object which is generally closely connected to the stakeholders’ interests. An obvious characteristic of the different conceptualizations is the immanent various comprehensions of vulnerability. As risk analyses from a natural scientific-technical background aim at estimating potential expositions and consequences of natural hazard events, the results can provide an appropriate decision basis for risk management strategies. Thereby, beside the preferably addressed gravitative and hydrological hazards, seismo-tectonical and especially meteorological hazard processes have been rarely considered within multi-risk analyses in an Alpine context. Hence, their comparative grading in an overall context of natural hazard risks is not quantitatively possible. The present paper focuses on both (1) the different concepts of the natural hazard risk and especially their specific expressions in the context of vulnerability and (2) the exemplary application of the natural scientific-technical risk concepts to analyse potential extreme storm losses in the Austrian Province of Tyrol. Following the corresponding general risk concept, the case study first defines the hazard potential, second estimates the exposures and damage potentials on the basis of an existing database of the stock of elements and values, and third analyses the so-called Extreme Scenario Losses (ESL) considering the structural vulnerability of the potentially affected elements at risk. Thereby, it can be shown that extreme storm events can induce losses solely to buildings and inventory in the range of EUR 100–150 million in Tyrol. However, in an overall context of potential extreme natural hazard events, the storm risk can be classified with a moderate risk potential in this province. 相似文献
154.
Ali Salim Joodi Stanislas Sizaret Stéphane Binet Ary Bruand Patrick Alberic Michel Lepiller 《Hydrogeology Journal》2010,18(2):295-309
Darcy’s law is the equation of reference widely used to model aquifer flows. However, its use to model karstic aquifers functioning with large pores is problematic. The physics occurring within the karstic conduits requires the use of a more representative macroscopic equation. A hydrodynamic model is presented which is adapted to the karstic aquifer of the Val d’Orléans (France) using two flow equations: (1) Darcy’s law, used to describe water flow within the massive limestone, and (2) the Brinkman equation, used to model water flow within the conduits. The flow equations coupled with the transport equation allow the prediction of the karst transfer properties. The model was tested by using six dye tracer tests and compared to a model that uses Darcy’s law to describe the flow in karstic conduits. The simulations show that the conduit permeability ranges from 5?×?10?6 to 5.5?×?10?5?m2 and the limestone permeability ranges from 8?×?10?11 to 6?×?10?10?m2. The dispersivity coefficient ranges from 23 to 53 m in the conduits and from 1 to 5 m in the limestone. The results of the simulations carried out using Darcy’s law in the conduits show that the dispersion towards the fractures is underestimated. 相似文献
155.
The effect of sulfur dissolved as sulfide (S2−) in silicate melts on the activity coefficients of NiO and some other oxides of divalent cations (Ca, Cr, Mn, Fe and Co) has been determined from olivine/melt partitioning experiments at 1400 °C in six melt compositions in the system CaO-MgO-Al2O3-SiO2 (CMAS), and in derivatives of these compositions at 1370 °C, obtained from the six CMAS compositions by substituting Fe for Mg (FeCMAS). Amounts of S2− were varied from zero to sulfide saturation, reaching 4100 μg g−1 S in the most sulfur-rich silicate melt. The sulfide solubilities compare reasonably well with those predicted from the parameterization of the sulfide capacity of silicate melts at 1400 °C of O’Neill and Mavrogenes (2002), although in detail systematic deviations indicate that a more sophisticated model may improve the prediction of sulfide capacities.The results show a barely discernible effect of S2− in the silicate melt on Fe, Co and Ni partition coefficients, and also surprisingly, a tiny but resolvable effect on Ca partitioning, but no detectable effect on Cr, Mn or some other lithophile incompatible elements (Sc, Ti, V, Y, Zr and Hf). Decreasing Mg# of olivine (reflecting increasing FeO in the system) has a significant influence on the partitioning of several of the divalent cations, particularly Ca and Ni. We find a remarkably systematic correlation between and the ionic radius of M2+, where M = Ca, Cr, Mn, Fe, Co or Ni, which is attributable to a simple relationship between size mismatch and excess free energies of mixing in Mg-rich olivine solid solutions.Neither the effect of S2− nor of Mg#ol is large enough by an order of magnitude to account for the reported variations of obtained from electron microprobe analyses of olivine/glass pairs from mid-ocean ridge basalts (MORBs). Comparing these MORB glass analyses with the Ni-MgO systematics of MORB from other studies in the literature, which were obtained using a variety of analytical techniques, shows that these electron microprobe analyses are anomalous. We suggest that the reported variation of with S content in MORB is an analytical artifact.Mass balance of melt and olivine compositions with the starting compositions shows that dissolved S2− depresses the olivine liquidus of haplobasaltic silicate melts by 5.8 × 10−3 (±1.3 × 10−3) K per μg g−1 of S2−, which is negligible in most contexts. We also present data for the partitioning of some incompatible trace elements (Sc, Ti, Y, Zr and Hf) between olivine and melt. The data for Sc and Y confirm previous results showing that and decrease with increasing SiO2 content of the melt. Values of average 0.01 with most falling in the range 0.005-0.015. Zr and Hf are considerably more incompatible than Ti in olivine, with and about 10−3. The ratio / is well constrained at 0.611 ± 0.016. 相似文献
156.
H. Dresmann N. Keulen Z. Timar-Geng B. Fügenschuh A. Wetzel H. Stünitz 《International Journal of Earth Sciences》2010,99(2):285-297
The thermal history of the south-westernmost Black Forest (Germany) and the adjacent Upper Rhine Graben were constrained by
a combination of apatite and zircon fission-track (FT) and microstructural analyses. After intrusion of Palaeozoic granitic
plutons in the Black Forest, the thermal regime of the studied area re-equilibrated during the Late Permian and the Mesozoic,
interrupted by enhanced hydrothermal activity during the Jurassic. At the eastern flank of the Upper Rhine Graben along the
Main Border Fault the analysed samples show microstructural characteristics related to repeated tectonic and hydrothermal
activities. The integration of microstructural observations of the cataclastic fault gouge with the FT data identifies the
existence of repeated tectonic-related fluid flow events characterised by different thermal conditions. The older took place
during the Variscan and/or Mesozoic time at temperatures lower than 280°C, whereas the younger was probably contemporary with
the Cenozoic rifting of the Upper Rhine Graben at temperatures not higher than 150°C. 相似文献
157.
Alexandre Tarantola Larryn W. Diamond Holger Stünitz 《Contributions to Mineralogy and Petrology》2010,160(6):825-843
Fluid inclusions in quartz are known to modify their shapes and microstructures (textures) during weak plastic deformation.
However, such changes have not been experimentally demonstrated and criteria are not available to relate them to paleostress
conditions. To address these issues, quartz crystals containing natural CO2–H2O–NaCl fluid inclusions have been experimentally subjected to compressive deviatoric stresses of 90–250 MPa at 700°C and ~600 MPa
confining pressure. Strains of up to 1% cause the inclusions to develop irregular shapes and to generate microcracks in crystallographic
planes oriented subperpendicular to the major compression axis, σ
1. The uniform alignment of the microcracks imparts a planar fabric to the samples. The microcracks heal and form swarms of
tiny satellite inclusions. These new inclusions lose H2O by diffusion, thereby triggering plastic deformation of the surrounding quartz via H2O-weakening. Consequently, the quartz samples deform plastically only in domains originally rich in inclusions. This study
shows that fluid inclusions deformed by deviatoric stresses may indeed record information on paleostress orientations and
that they play a key role in facilitating crystal-plastic deformation of quartz. 相似文献
158.
Jan Kryński 《Journal of Geodesy》1979,53(1):19-36
Summary The concept of satellite-to-satellite tracking measuring the relative velocity of two orbiting satellites spaced some hundreds
kilometers on a close orbit, provides now possibilities for the investigation of the Earth’s gravity field. In the paper only
medium and short wave length effects affecting the measured relative velocity have been considered. Collocation is used in
such an analysis of local geoid improvement, because this method allows to combine heterogeneous data in a consistent way.
Covariance functions relevant for the particular case of a circular equatorial orbit are given. Two kinds of observation equations
have been formulated. The choice of observation equation with regard to satellites configuration is discussed.
It is found that it is sufficient to have a limited number of satellite-to-satellite observations in a 7o×7o area around the estimation point with distances between profiles of about 1o.5 and between the two satellites forming the pair of 200+350 km; the altitude of satellite-to-satellite observations should
be as low as possible. The accuracy of the geoid determination strongly depends on the degree and order of the reference field
used. An accuracy of about ±1 m can be achieved with an assumed reference field of (40,40).
The influence of measuring errors is discussed and it is shown that only satellite-to-satellite observations with accuracy
better then 0.1 mm/sec will give an improvement of the geoid. Finally, some results on the combination of low-low satellite-to-satellite
tracking and terrestrial gravity data are given.
The proposed method seems to be especially interesting for unsurveyed areas. Furthermore, it has the practical advantage that
only a local coverage data is needed. 相似文献
159.
Stéphane Rondenay 《Surveys in Geophysics》2009,30(4-5):377-405
This paper provides a review of array-based imaging techniques that use converted and scattered teleseismic waves. It addresses various aspects of the imaging process, from the preprocessing of the data to the application of the imaging algorithms. The reviewed techniques form a continuum with respect to the level of complexity adopted in the treatment of the scattering problem. On one end of the spectrum, images may be produced by simple stacking of normalized P-to-S conversion records (i.e., receiver functions), which are binned according to station or common conversion points (CCP) and mapped to depth. Finer resolution can be achieved through the stacking of singly scattered wavefields along diffraction hyperbolae to recover relative scattering intensity/potential at individual points through a 2-D or 3-D model space. Moving to higher levels of complexity, we find methods that involve inversion/backprojection of scattered teleseismic wavefield to recover estimates of localized material property perturbations with respect to an a priori background model. 相似文献
160.
The economics of climate change impacts and policy benefits at city scale: a conceptual framework 总被引:2,自引:0,他引:2
Cities are particularly vulnerable to climate change and climate extremes in part because they concentrate many activities,
people and wealth in limited areas. As a result they represent an important scale for assessment and understanding of climate
change impacts. This paper provides a conceptual and methodological framework for urban economic impact assessment of climate
change. The focus of the paper is on model-based analysis of future scenarios, including a framing of uncertainty for these
projections, as one valuable input into the decision-making process. The paper highlights the main assessment difficulties,
methods and tools, and selected examples across these areas. A number of challenges are unique to climate change impact assessment
and others are unique to the problem of working at local scales. The paper also identifies the need for additional research,
including the need for more integrated and systemic approaches to address climate change as a part of the urban development
challenge as well as the need to assess the economic impacts of climate change and response policy at local scale. 相似文献